Quote:
I'm taking a vacation.
I think that's a good move. I've go well over 60% in Hi div stuff. PPR is my worst holding and it pays 9.5% at my cost. I could just set here and watch for the rest of the year and end up over 10%. Like I said the other day, I'm good for the next 2-3 months. The only issue coming up is FRO. I expect it to be over $50 by x-div. Then what do I do? Do I sell before X or hold for the year. If I sell at 50, I will have a gain about equal to the total div through 4Q. I need to get busy and create a spreadsheet and graph this. I've got quite a bit of FRO, so this could be an important decision, $ wise....